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  • Accounting
    • Implemented service to automatically post the gl transaction for manual inventory variances
    • Implemented service to automatically post the gl transaction for inventory transfers and inventory owner change
    • Implemented service to automatically post the gl transaction for inventory cost changes
    • Implemented service to automatically post the gl transaction for inventory consumed by work efforts (e.g. production runs)
    • Implemented service to automatically post the gl transaction for inventory produced by work efforts (e.g. production runs)
    • Implemented service to automatically post the gl transaction for work effort's actual costs accounting (e.g. production runs' costs)
    • Implemented service to automatically post the gl transaction for sales invoices
  • Framework
    • Webtools
      • An entity references PDF may be generated (1250+ pages but FOP is quick enough)

November 2007

  • Framework
    • Webtools
      • SECA details shown in available services screen
    • The new parameter "widget.verbose" in debug.properties allows to show where code came from in html source
  • Inventory
    • New screen to search (by product, date, type etc...) and display the inventory movements (inventory item details) with information about shipments, sales/purchase orders, returns, manufacturing orders, physical manual variances; there are three views of the movements: by inventory item, by product or by date.
  • POS
    • Password entry is now hidden
    • You can now enter a promo code to be applied to the current sale via the promo menu
  • Accounting
    • Implemented the Trial Balance report
    • Implemented new screens to search/list accounting transactions and accounting transaction entries
    • Implemented new screen to manage organization's mapping from GL account types to GL accounts
    • Implemented new screen to manage organization's mapping from products to GL accounts
    • Implemented service to automatically post the gl transaction for sales shipment issuances to the GL
    • Implemented service to automatically post the gl transaction for inventory receipts (purchase or return shipments, manual receipts) to the GL
    • Added screens to define gl journals and added ability to define an error journal, where all failed accounting transactions are moved
    • Improved screen for accounting time periods: it is now possible to define new time periods for the selected organization
  • Project Manager
    • Create the first version of a design document here Comments welcomed!
    • Bug fixing
    • in a project make the 'phase' and 'task' structure mandatory.
    • reporting on status and dates only done on task level.

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